HARTFORD INSURANCE GROUP, INC.

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
ASSETS
Accrued Investment Income Receivable $372.0m $404.0m $450.0m $474.0m
Financing Receivable, after Allowance for Credit Loss $4.5b $5.4b $6.0b $6.1b $6.4b $6.8b
Premiums receivable and agents' balances (net of ACL of $142 and $117) $3.7b $3.9b $4.0b $4.4b $4.3b $4.4b $4.9b $5.6b $6.0b $6.3b
Short-term Investments $3.2b $2.3b $4.3b $2.9b $3.3b $3.7b $3.9b $3.9b $4.1b $4.4b
Short-term investments $3.2b $2.3b $4.3b $2.9b $3.3b $3.7b $3.9b $3.9b $4.1b $4.4b
Property and equipment, net $991.0m $1.0b $1.0b $1.2b $1.1b $1.0b $927.0m $896.0m $888.0m $931.0m
Property, Plant and Equipment, Net $991.0m $1.0b $1.0b $1.2b $1.1b $1.0b $927.0m $896.0m $888.0m $931.0m
Goodwill $567.0m $1.3b $1.3b $1.9b $1.9b $1.9b $1.9b $1.9b $1.9b $1.9b
Intangible Assets, Net (Excluding Goodwill) $657.0m $1.1b $950.0m $858.0m $778.0m $707.0m $637.0m $566.0m
Other intangible assets, net $44.0m $659.0m $657.0m $1.1b $950.0m $858.0m $778.0m $707.0m $637.0m $566.0m
Operating Lease, Right-of-Use Asset $191.0m $135.0m $141.0m $140.0m $159.0m
Other assets $1.8b $2.2b $2.2b $2.4b $2.1b $2.6b $2.1b $1.8b $2.0b $2.2b
Additional Financial Items
Cash $882.0m $180.0m $121.0m $185.0m $151.0m $205.0m $229.0m $126.0m $183.0m $133.0m
Deferred income taxes, net $3.0b $1.2b $1.2b $299.0m $46.0m $270.0m $1.4b $1.2b $1.2b $901.0m
Deferred policy acquisition costs $1.7b $650.0m $670.0m $785.0m $789.0m $881.0m $1.0b $1.1b $1.2b $1.3b
Equity securities, at fair value $0 $1.2b $1.7b $1.4b $2.1b $1.8b $864.0m $603.0m $492.0m
Fixed maturities, at fair value using the fair value option ("FVO securities") $211.0m $41.0m $22.0m $11.0m $160.0m $333.0m $327.0m $308.0m $168.0m
Liability for Future Policy Benefit, before Reinsurance $13.9b $713.0m $642.0m $635.0m $638.0m $596.0m $561.0m $484.0m $448.0m $444.0m
Limited partnerships and other alternative investments $1.5b $1.6b $1.7b $1.8b $2.1b $3.4b $4.2b $4.8b $5.0b $5.8b
Other investments $403.0m $96.0m $192.0m $320.0m $201.0m $375.0m $159.0m $191.0m $226.0m $262.0m
Other liabilities $7.0b $5.2b $4.8b $5.2b $5.2b $5.7b $4.8b $5.1b $5.0b $5.3b
Policyholder Account Balance $602.0m $816.0m $767.0m $755.0m $701.0m $687.0m $658.0m $638.0m $614.0m $612.0m
Reinsurance recoverables (net of allowance for uncollectible reinsurance of $69 and $75) $23.3b $4.1b $4.4b $5.5b $6.0b $6.5b $7.0b $7.1b $7.1b $7.2b
Restricted Cash $9.0m $77.0m $88.0m $132.0m $115.0m $63.0m $51.0m $44.0m
Unearned premiums $5.5b $5.3b $5.3b $6.6b $6.6b $7.2b $7.8b $8.6b $9.4b $10.1b
Unpaid losses and loss adjustment expenses $27.6b $32.3b $33.0b $36.5b $37.9b $39.7b $41.2b $42.3b $44.6b $46.3b
Total fixed maturities, AFS $56.0b $37.0b $35.7b $42.1b $45.0b $42.8b $36.2b $39.8b $42.6b $46.0b
Total investments $70.6b $45.1b $46.8b $53.0b $56.5b $57.7b $52.6b $55.9b $59.2b $64.0b
Assets $62.3b $70.8b $74.1b $76.6b $73.0b $76.8b $80.9b $86.0b
Total assets $223.4b $225.3b $62.3b $70.8b $74.1b $76.6b $73.0b $76.8b $80.9b $86.0b
LIABILITIES AND EQUITY
Total liabilities and stockholders’ equity $223.4b $225.3b $62.3b $70.8b $74.1b $76.6b $73.0b $76.8b $80.9b $86.0b
Long-term Debt, Excluding Current Maturities $4.5b $4.7b $4.3b $4.3b $4.4b $4.9b $4.4b $4.4b $4.4b $4.4b
Long-term debt $4.5b $4.7b $4.3b $4.3b $4.4b $4.9b $4.4b $4.4b $4.4b $4.4b
Liabilities
Total liabilities $206.5b $211.8b $49.2b $54.5b $55.6b $58.7b $59.4b $61.5b $64.5b $67.0b
Stockholders’ equity:
Accumulated Other Comprehensive Income (Loss), Net of Tax ($1.6b) $52.0m $1.2b $172.0m ($3.9b) ($2.8b) ($2.9b) ($2.1b)
Accumulated other comprehensive loss, net of tax ($337.0m) $663.0m ($1.6b) $52.0m $1.2b $172.0m ($3.9b) ($2.8b) ($2.9b) ($2.1b)
Additional Paid in Capital $5.2b $4.4b $4.4b $4.3b $4.3b $3.3b $1.9b $648.0m $578.0m $549.0m
Additional paid-in capital $5.2b $4.4b $4.4b $4.3b $4.3b $3.3b $1.9b $648.0m $578.0m $549.0m
Common Stock, Shares, Issued $384.9m $384.9m $327.0m $327.0m
Common Stock, Value, Issued $4.0m $4.0m $4.0m $4.0m $4.0m $4.0m $3.0m $3.0m $3.0m $3.0m
Preferred stock, $0.01 par value — 50,000,000 shares authorized, 13,800 shares issued at December 31, 2025 and December 31, 2024, aggregate liquidation preference of $345 $0 $334.0m $334.0m $334.0m $334.0m $334.0m $334.0m $334.0m $334.0m
Retained Earnings (Accumulated Deficit) $13.1b $9.6b $11.1b $12.7b $13.9b $15.8b $17.0b $19.0b $21.5b $24.7b
Retained earnings $13.1b $9.6b $11.1b $12.7b $13.9b $15.8b $17.0b $19.0b $21.5b $24.7b
Treasury Stock, Value $1.1b ($1.2b) ($1.1b) ($1.1b) ($1.2b) ($1.7b) ($1.8b) ($1.8b) ($3.1b) ($4.6b)
Stockholders' Equity Attributable to Parent $13.1b $16.3b $18.6b $17.8b $13.6b $15.3b $16.4b $19.0b
Total stockholders' equity $16.9b $13.5b $13.1b $16.3b $18.6b $17.8b $13.6b $15.3b $16.4b $19.0b
Liabilities and Equity $62.3b $70.8b $74.1b $76.6b $73.0b $76.8b $80.9b $86.0b

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.